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Investments (Tables)
9 Months Ended
Sep. 30, 2023
Investments, Debt and Equity Securities [Abstract]  
Schedule of debt securities available-for-sale
The following table summarizes our cash equivalents and available-for-sale debt investments:
September 30, 2023
Fair Value Level
Amortized CostGross Unrealized GainsGross Unrealized Losses (1)Total Fair ValueLevel 1Level 2
 (In thousands)
Cash equivalents
Asset-backed securities$1,484 $$(5)$1,481 $— $1,481 
Commercial paper43,206 — — 43,206 — 43,206 
Money market funds71,764 — — 71,764 71,764 — 
U.S. government bonds14,662 — 14,664 14,664 — 
Total cash equivalents (2)131,116 (5)131,115 86,428 44,687 
Short-term investments
Asset-backed securities59,503 (151)59,359 — 59,359 
Certificate of deposits23,351 — — 23,351 23,351 — 
Commercial paper55,244 — — 55,244 — 55,244 
Corporate bonds236,644 115 (1,117)235,642 — 235,642 
Foreign government bonds1,301 — — 1,301 — 1,301 
U.S. government agency bonds13,258 — (39)13,219 — 13,219 
U.S. government bonds46,076 (231)45,846 45,846 — 
Total short-term investments435,377 123 (1,538)433,962 69,197 364,765 
Total$566,493 $127 $(1,543)$565,077 $155,625 $409,452 
December 31, 2022
Fair Value Level
Amortized CostGross Unrealized GainsGross Unrealized Losses (1)Total Fair ValueLevel 1Level 2
 (In thousands)
Cash equivalents
Asset-backed securities$25 $— $— $25 $— $25 
Commercial paper69,101 — — 69,101 — 69,101 
Money market funds97,650 — — 97,650 97,650 — 
Municipal bonds1,001 — — 1,001 — 1,001 
U.S. government agency bonds16,982 — 16,985 — 16,985 
U.S. government bonds10,767 — 10,768 10,768 — 
Total cash equivalents195,526 — 195,530 108,418 87,112 
Short-term investments
Asset-backed securities25,677 (134)25,550 — 25,550 
Certificate of deposits17,362 — — 17,362 17,362 — 
Commercial paper27,866 — — 27,866 — 27,866 
Corporate bonds198,868 (1,529)197,346 — 197,346 
Foreign government bonds996 — (4)992 — 992 
Mortgage-backed securities696 — (2)694 — 694 
Municipal bonds364 — (2)362 — 362 
U.S. government agency bonds735 — (1)734 — 734 
U.S. government bonds6,704 (20)6,685 6,685 — 
Total short-term investments279,268 15 (1,692)277,591 24,047 253,544 
Total$474,794 $19 $(1,692)$473,121 $132,465 $340,656 
(1)All unrealized losses have been in a continuous loss position for less than 12 months. We do not intend to sell the investments in an unrealized loss position, and it is not more likely than not that we will be required to sell these investments before recovery of their amortized cost bases.
(2)For nine months ended September 30, 2023 and 2022, we sold cash equivalent investments for proceeds of $41.5 million and $27.1 million, respectively, and realized no gain or loss on such sales.
The following table summarizes the contractual maturities of our cash equivalents and available-for-sale debt investments as of September 30, 2023:
Amortized CostFair Value
(In thousands)
Within 1 year$399,939 $399,341 
After 1 year through 5 years105,567 104,896 
Asset-backed securities60,987 60,840 
Total$566,493 $565,077